The United States appeals a ruling of the district court denying its petition for a Rule to show cause why attorney Carl Walsh should not be held in contempt for refusing to testify before a grand jury and produce records. The district court quashed the subpoenas duces tecum and ad testifican-dum on the ground that compliance would violatе the attorney-client privilege. We reverse and remand.
I
This proceeding is another phase in the intrigue surrounding the burglary of the residence of Anthony J. Accardo. As reported in an earlier decision, “some time after the burglary — shortly thereafter, as a matter of fact — various people described by the government as ‘known burglars’ began showing up dead, none from natural causes, in the Chicago Metropolitan area.”
United States v. One Residence and Attached Garage, etc.,
A grand jury has been investigating possible federal criminal violations stemming from these events. Accardo family members and Michael Volpe, a handyman for Accardo who discovered the burglary, appeared before the grand jury, represented by appellee Carl M. Walsh.
The plot thickened when, sometime after Mr. Volpe’s appearance before the grand jury, “he left his home for his usual place of employment — the Accardo residence — and seemingly disappeared from human knowledge.” Id. at 1233. The grand jury then began investigating Volpe’s disappearance. The attorney Walsh, believed to be one of the last persons to have seen Volpe, was subpoenaed. The subpoena 1 required Walsh to appear and testify and to produce:
1. Accounts receivable relating to Michael Joseph Volpe, Sr., including ledgers.
2. Time records which describe the amount of time spent by Carl M. Walsh in performing services for Michael Joseph Volpe, Sr.
3. Any and all entries in records, including but not limited to file memoran-da, appointment books and calendars for the period from September 8,1978 to October 31, 1978, which memorialize the date, place, and time of meetings and/or communications between Michael Joseph Volpe, and Carl M. Walsh and Carl M. Walsh’s office employees.
4. Copies of all statements, bills, receipts and payments made by and for Mi *492 chael Joseph Volpe, Sr. relating to attorney services.
5. Retainer contracts, letters of understanding and letters of agreement for Michael Joseph Yolpe, Sr. relating to the creation and continuation of an attorney-client relationship.
Walsh’s motion to quash was denied and he was ordered to appear before the grand jury on July 11, 1979. Walsh camе to the grand jury room on that date but refused to enter the room. The Government filed a motion for a rule to show case why Walsh should not be held in contempt. In ruling on that motion, Judge Parsons held that before an attorney could be required to appear before a grand jury at which his client had already testified, the Government must submit a list of proposed questions for in camera review and must establish:
(1) that the information and materials demanded by the subpoena are not within the ambit of the attorney-client privilege or the attorney work product exemption from disclosure, and (2) that there is a particularized need for the infоrmation or materials sought, that no other sources for such information are known or available, and that the information or materials sought are material to the investigation.
The Government submitted to the court an affidavit establishing the need for information from Walsh and a list of 73 proposed questions it intended to ask him. Without requiring Walsh to take the stand, the district court ruled that the “cumulative effect” of the proposed questions violated the attorney-client privilege. The court quashed the subpoenas and denied the Government’s contempt motion. The Government appeals under 18 U.S.C. § 3731. 2
II
The first issuе here is whether the attorney-client privilege insulates an attorney from having to appear before a grand jury investigating events which may implicate his clients. The grand jury, fundamental to our criminal justice system, performs “the dual function of determining if there is probable cause to believe that а crime has been committed and of protecting citizens against unfounded criminal prosecutions.”
Branzburg v. Hayes,
In contrast stands the attorney-client privilege. The attorney-client privilege protects from disclosure confidential communications made by a client to his attorney. The privilege was developed to promote free consultation of legal advisors by clients.
In re January 1976 Grand Jury (Genson),
(1) Where legal advice of any kind is sought (2) from a professional legal adviser in his capacity as such, (3) the communications relating to that purpose, (4) made in confidence (5) by the client, (6) are at his instance permanently protected (7) from disclosure by himself or by the legal adviser, (8) except the protection be waived.
8 Wigmore, Evidence § 2292 at 554 (McNaughton rev. 1961).
To reconcilе the competing values served by the privilege and the grand jury, the privilege must'be upheld only in those circumstances for which it was created.
*493
Fisher v. United States,
Walsh asserts that the attorney-client relationship will be endangered if he is compelled to testify. But the privilege protects confidential communications, not the attorney-client relationship as a whole. We do not denigrate thе attorney-client privilege nor do we elevate the prerogatives of the grand jury. But were we to afford attorneys the right to refuse to appear before grand juries, we would be granting a protection far greater than the parameters of the privilege.
The district court ruled that thе government could not question Walsh unless it established (1) that the materials and information sought were not covered by the attorney-client privilege and (2) that there was a particularized need for the information or materials sought, that no other sources for such information were known or availаble, and that the information or materials sought were material to the investigation. These restrictions, available to no other grand jury witness, are not a permissible method of accommodating the privilege to the grand jury. First, the burden of establishing the existence of a privilege rests on the party asserting it.
In re Grand Jury Empanelled February 14, 1978 (Mar-kowitz),
Walsh must take the stand without previоus restrictions by the district court.
3
He may, of course, initially refuse to answer questions he believes to be protected by the attorney-client privilege. But a general refusal to cooperate or the mere assertion of the privilege is not enough.
See Hoffman v. United States,
Before he can even claim the privilege, the attorney-witness must establish the fact of an attorney-client relationship. That task is complicated by Walsh’s representation of both Accardo and Volpe. An enormous potential for conflict of interest is generated by Walsh’s multiple representation of clients before the grand jury.
See In re Investigation Before the April 1975 Grand Jury (Rosen),
To determine the existence of the attorney-client relationship, Walsh may be questioned as to the number of years during which the alleged relationship continued and the general nature of the legal services rendered. Business or other advice is not privileged, and should be distinguished from professional legal services. Such general inquiry will aid in identifying which areas may be pursued and which are protected.
Colton v. United States,
Once the attorney-client relationship is established, inquiry will focus upon the nature of the communication or information sought. The relationship itself does not create “[a] cloak of protection [which is] draped around all occurrences and conversations which have any bearing, direct or indirect, upon the relationship of the attorney with his client.”
United States v. Goldfarb,
Some areas of inquiry have been held not privileged because they are not communications or are not confidential. For example, the fact of communication between a known client and his attorney is not a privileged communication.
United States v. Kendrick,
Excluded from the privilege, also, are physical characteristics of the client, such as his complexion, his demeanor, . . . and his dress. Such things are obsеrvable by anyone who talked with the client, and there is nothing, in the usual case, to suggest that the client intends his attorney’s observations of such matters to be confidential.
United States v. Kendrick,
As a general rule, matters involving the receipt of fees from a client are not privileged as they do not involve confidential сommunications.
In re January 1976 Grand Jury (Genson); United States v. Hodgson; United States v. Haddad,
*495
In re Grand Jury Proceedings (Lawson),
Walsh is also required to testify concerning meetings at which third parties were prеsent.
United States v. Pipkins,
Walsh may also be asked if he told Volpe he had a duty to reappear before the grand jury if called. In similar eases, attorneys have been required to answer whether they informed their clients that they must appear on a particular date for trial or sentencing.
United States v. Freeman,
We are cognizant of the dangers presented when attorneys are called before the grand jury,
see In re Grand Jury Investigation (Sturgis),
We reverse the judgment of the district court quashing the subpoenas and denying the Rule to show cause. We remand for proceedings not inconsistent with this opinion.
REVERSED AND REMANDED.
Notes
. The original subpoena sought Walsh’s “fingerprints, palmprints [and] photograph.” The government withdrew that subpoena on July 24, 1979 and substituted thе current subpoena.
. Walsh contends that the Government’s appeal is barred because he was tried for criminal, not civil, contempt. But none of the notices in the show cause proceeding stated that the action was one for criminal contempt as required by Fed.R.Crim.P. 42(b). The purposе of the proceeding below was to force Walsh to testify and produce records, not to punish him for his past failure to appear.
Pabst Brewing
Co. v.
Brewery Workers Local Union No.
77,
. Of course, the presiding judge maintains supervision as to the propriety, purposes and scope of the grand jury inquiry and the pertinence of the probable testimony.
Branzburg v. Hayes,
. If the Government believes that Walsh’s representation of all the witnesses presents a potential conflict of interest, it can seek to disqualify him.
In re Special February 1977 Grand Jury,
. The proper procedure by which to determine the existence of the privilege is left to the triаl court. We have approved the use of an
in camera
proceeding when the underlying facts demonstrating the existence of the privilege may be presented only by revealing the very information sought to be protected by the privilege.
United States v. Tratner,
. An excеption to the non-privileged status of retainer agreements exists where the payor client is unknown. This does not appear applicable to the record before us as Walsh’s clients are admitted.
See, e. g., Tillotston v. Boughner,
